This role is not eligible for TD work visa support or sponsorship (e.g., H-1B, F-1 OPT/STEM OPT, TN or other work visa authorizations). Applicants must have authorization to work in the United States without current or future need for TD sponsorship. U.S. Financial Crime Risk Management Monitoring Coverage & Capabilities (MCC) Issue and Exam Management plays a critical role in supporting the organization's compliance with regulatory requirements, specifically regarding the detection of money laundering risks. This position acts as a central point of coordination to comprehensively manage audits, regulatory examinations, and other internal or external reviews related to TD Securities AML transaction monitoring. This individual will also promote timely and accurate responses to requests for information (RFIs) from examiners and auditors; coordinate with subject matter experts to develop and credibly challenge responses to RFIs; and support the lifecycle (i.e., issuance through to closure) of issues from internal and external reviews as well as self-identified issues. The Financial Crime Risk Specialist role develops and maintains TD’s AML/ATF/Sanctions/ABAC programs, including frameworks, methodologies, policies, standards, procedures, awareness and specialized training, monitoring, management reporting and/or escalation of issues. This role conducts periodic and event driven reviews of customers, including targeted reviews to assess risks. Additionally, this role supports management in delivery of initiatives related to risk assessment, internal/external exam support, etc.
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Job Type
Full-time
Career Level
Senior
Education Level
Associate degree
Number of Employees
101-250 employees